Instuitional Investor - Woodbridge Co Ltd

Fund Profile
Filing Period:
Fund Name: Woodbridge Co Ltd
Portfolio Value $40,536,364,082
Filing Period:
No. Security Ticker Shares Value % Port
1. TRI 300,694,046 $39,658,537,727 97.83%
2. GOOGL 304,910 $95,436,830 0.24%
3. AMZN 268,854 $62,056,880 0.15%
4. BRK.A 91,969 $46,228,218 0.11%
5. ENB 908,200 $43,439,206 0.11%